Parent bank | Group | |||||
Jan-Sept | Jan-Sept | |||||
2020 | 2020 | 2021 | (NOKm) | 2021 | 2020 | 2020 |
1,356 | 1,155 | 1,841 | Net profit | 2,199 | 1,528 | 1,978 |
102 | 77 | 74 | Depreciations and write-downs on fixed assets | 149 | 122 | 166 |
902 | 672 | 115 | Losses on loans and guarantees | 129 | 709 | 951 |
2,360 | 1,904 | 2,029 | Net cash increase from ordinary operations | 2,477 | 2,358 | 3,096 |
-4,093 | -7,090 | 1,201 | Decrease/(increase) other receivables | 1,330 | -7,783 | -4,681 |
3,582 | 5,005 | -1,343 | Increase/(decrease) short term debt | -1,197 | 4,785 | 3,896 |
-8,075 | -6,920 | -8,408 | Decrease/(increase) loans to customers | -9,403 | -7,606 | -8,795 |
-3,721 | -1,119 | -2,800 | Decrease/(increase) loans credit institutions | -2,258 | -407 | -2,981 |
11,296 | 9,086 | 12,163 | Increase/(decrease) deposits to customers | 12,163 | 9,474 | 11,611 |
5,045 | 3,486 | -721 | Increase/(decrease) debt to credit institutions | -494 | 2,732 | 4,242 |
-3,490 | -3,259 | -3,347 | Increase/(decrease) in short term investments | -3,425 | -3,260 | -3,491 |
2,905 | 1,093 | -1,227 | A) Net cash flow from operations | -809 | 293 | 2,896 |
-38 | -9 | -49 | Increase in tangible fixed assets | -177 | -50 | -136 |
-418 | -343 | 78 | Paid-up capital, associated companies | -85 | -588 | -873 |
37 | -6 | -39 | Net investments in long-term shares and partnerships | -159 | 1.063 | 587 |
-420 | -358 | -4 | B) Net cash flow from investments | -415 | 424 | -422 |
-295 | -295 | -0 | Increase/(decrease) in subordinated loan capital | -0 | -294 | -295 |
3 | 3 | 1 | Increase/(decrease) in equity | -6 | 18 | 14 |
-647 | -647 | -168 | Dividend cleared | -168 | -647 | -647 |
-364 | -364 | -95 | Disbursed from gift fund | -95 | -364 | -364 |
-56 | -47 | -39 | Increase/(decrease) in Additional Tier 1 capital | -40 | -49 | -59 |
877 | 3.080 | -27 | Increase/(decrease) in other long term loans | -26 | 3.083 | 880 |
-482 | 1,730 | -328 | C) Net cash flow from financial activities | -335 | 1,748 | -470 |
2,003 | 2,465 | -1,558 | A) + B) + C) Net changes in cash and cash equivalents | -1,558 | 2,465 | 2,003 |
761 | 761 | 2,764 | Cash and cash equivalents at 1.1 | 2,764 | 761 | 761 |
2,764 | 3,227 | 1,206 | Cash and cash equivalents at end of quarter | 1,206 | 3,227 | 2,764 |
2,003 | 2,465 | -1,558 | Net changes in cash and cash equivalents | -1,558 | 2,465 | 2,003 |